‘Not a time for major calls’: Six multi-asset managers explain their Q4 positioning
Six investors outline their thoughts on markets for the final quarter of the year and beyond
Six investors outline their thoughts on markets for the final quarter of the year and beyond
Insurance provider names head of sales for France, as international CEO retires from asset manager
Guy Opperman is back at the Department for Work and Pensions, as insurer makes c-suite change
Portfolios should be positioned to expect a more turbulent economic environment
To give the bank’s retail clients in Singapore access to the US firm’s funds
It is ‘proving to be a bit more persistent and higher than many expected’
To offer its health sciences strategy to the Swiss bank’s private wealth clients in Singapore and HK
A round-up of people moves and M&A deals across North America
As expected lower returns for equity and bond markets will have knock-on effect
Even though thematic ESG strategies are resonating more with investors
Long-standing aversion driven by ‘myth’ that they act as a detractor to multi-asset portfolios
‘The risk/reward profile looks less compelling’